The University of Queensland’s Master of Finance and Investment Management prepares students for careers in financial markets by developing advanced expertise in investment analysis, portfolio management, corporate finance, and financial risk management. Students study asset valuation, derivatives, international finance, financial modelling, capital markets, and investment strategy while applying quantitative techniques to real-world financial challenges.
Industry-focused learning strengthens analytical reasoning, strategic decision-making, and professional communication skills. The program also explores ethical investment practices and global financial trends. Graduates are equipped for careers in investment banking, asset management, financial consulting, wealth management, and corporate finance.